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FY'25FY'24FY'23FY'22
$31.23M+59.0%$19.65M-32.3%$29.02M-34.7%$44.42M+1,277%
$30.26M-72.2%$108.76M-21.3%$138.26M+576%$20.46M-92.7%
$264K+0.4%$263K-77.1%$1.15M-62.8%$3.09M+390%
$127.8M+33.7%$95.58M+17.9%$81.03M+114%$37.84M+259%
$56.15M+28.8%$43.6M-26.6%$59.4M+41.2%$42.06M+110%
$126.19M-21.5%$160.74M-22.1%$206.26M-5.4%$218.13M-26.0%
$36.44M+28.0%$28.47M+882%$2.9M+42.3%$2.04M-0.4%
$6.29M+144%$2.57M-18.4%$3.16M
$3.11M+9.7%$2.83M-87.9%$23.48M+32.7%$17.69M+2,381%
$88.21M+468%$15.54M+16.6%$13.33M-66.2%$39.45M+196%
$47.5M+496%$7.96M-61.2%$20.52M-55.7%$46.37M+89.9%
$914K-13.9%$1.06M-78.5%$4.93M+113%$2.31M
$167K+41.5%$118K-91.6%$1.4M+3.1%$1.36M+486%
$30.26M-72.2%$108.76M-21.3%$138.26M+6.0%$130.38M
$325.47M+26.8%$256.68M-13.0%$294.94M-9.3%$325.03M-3.2%
$19.14M+108%$9.22M-61.4%$23.86M+44.3%$16.54M+160%
$652K-4.4%$682K-85.8%$4.79M+42.4%$3.36M+668%
$19.79M-12.9%$22.73M-36.0%$35.49M+33.4%$26.61M+108%
$2.66M+13.7%$2.34M-88.2%$19.74M+31.9%$14.97M+5,285%
$22.07M$0
$25.74M-25.9%$34.74M-42.7%$60.64M+20.0%$50.54M+13.5%
$0$0$0$0
400M+5,714,186%7K0.0%7K0.0%7K0.0%
$424.62M+4.3%$407.08M+4.4%$390.08M+3.8%$375.87M+2.0%
-$145.55M+22.1%-$186.9M-17.0%-$159.75M-54.1%-$103.68M-35.7%
$0-100%$1.75M-55.8%$3.96M+73.3%$2.29M+355%
$279.07M+25.7%$221.94M-5.3%$234.3M-14.6%$274.49M-5.8%
$325.47M+26.8%$256.68M-13.0%$294.94M-9.3%$325.03M-3.2%
$1.07M+852%$112K+14.3%$98K$0
$1.07M+852%$112K+14.3%$98K$0
$30.26M-72.2%$108.76M-21.3%$138.26M-8.3%$150.74M-46.0%
$5.01M
$24.02M+20,253%$118K-91.6%$1.4M+3.1%$1.36M+486%
$30.28M-72.2%$108.83M-21.3%$138.29M+6.1%$130.35M
$3.11M+9.7%$2.83M-87.9%$23.48M+32.7%$17.69M+2,381%
$47.5M+496%$7.96M-61.2%$20.52M-55.7%$46.37M+89.9%
$3.11M+9.7%$2.83M-87.9%$23.48M+32.7%$17.69M+2,381%
$24.02M+20,253%$118K-91.6%$1.4M+3.1%$1.36M+486%
$42.73M+37.7%$31.04M+413%$6.05M
$3.11M+9.7%$2.83M-87.9%$23.48M+32.7%$17.69M+2,381%
$24.02M+20,253%$118K-91.6%$1.4M+3.1%$1.36M+486%
$19.14M+108%$9.22M-61.4%$23.86M+44.3%$16.54M+160%
$4.63M
$3.31M-64.5%$9.32M-62.0%$24.53M+33.8%$18.33M+2,460%
$0.000.0%$0.000.0%$0.000.0%$0.000.0%
86.7M+9.2%79.4M+5.7%75.1M+4.8%71.7M+1.4%
2M0.0%2M0.0%2M0.0%2M0.0%
0000
0000
$7K0.0%$7K0.0%$7K0.0%$7K0.0%
$0$0$0$0
$0.000.0%$0.000.0%$0.000.0%$0.000.0%
9.7M
2.9M-43.5%5.1M
$3.84
$0.190.0%$0.19
$42.73M+37.7%$31.04M+413%$6.05M
$1.53M-73.7%$5.81M+17.1%$4.96M-30.0%$7.08M-77.4%
$1.07M+852%$112K+14.3%$98K$0
$15.15M
$12.55M
$00.0%$00.0%$00.0%$00.0%
$400M0.0%$400M0.0%$400M0.0%$400M0.0%
$86.7M+9.2%$79.42M+5.7%$75.13M+4.8%$71.66M+1.4%
$15.14M
$348K$0-100%$451K-76.0%$1.88M+1,203%
$8.7M
$2.31M
$00.0%$00.0%$00.0%$00.0%
$2M0.0%$2M0.0%$2M0.0%$2M0.0%
$0$0$0$0
$0$0$0$0
$7.18M
$3.84
$2.9M-43.5%$5.12M
$0.190.0%$0.19
$9.75M
$0.32+39.1%$0.23
$1.53M-73.7%$5.81M+17.1%$4.96M-30.0%$7.08M-77.4%

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Questions, answered.

What are Strata Critical Medical, Inc. Class A Common Stock's total assets?
Strata Critical Medical, Inc. Class A Common Stock (SRTA) holds $327.6M in total assets, up 30.8% year over year.
How much debt does Strata Critical Medical, Inc. Class A Common Stock have?
Strata Critical Medical, Inc. Class A Common Stock carries $4.5M in total debt against $285.7M of shareholders' equity, a debt-to-equity ratio of 0.02.
How much cash does Strata Critical Medical, Inc. Class A Common Stock have?
Strata Critical Medical, Inc. Class A Common Stock holds $59.0M in cash and equivalents.
Can Strata Critical Medical, Inc. Class A Common Stock cover its short-term obligations?
Its current ratio is 5.93 — current assets exceed current liabilities.
Where does Strata Critical Medical, Inc. Class A Common Stock's balance sheet data come from?
Every line is extracted from Strata Critical Medical, Inc. Class A Common Stock's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.